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Filotto, Umberto Viale, Riccardo Mousavi, Shabnam Ornelas, José Renato Haas Masciandaro, Donato Lagasio, Valentina Fratianni, Michele Ferri, Giovanni Mattarocci, Gianluca Farina, Vincenzo Donato, Luigi Carretta, Alessandro Caratelli, Massimo Rotondi, Zeno Schwizer, Paola Brogi, Marina Uberti, Pierpaolo Lucarelli, Caterina Bracchi, Giampio Ruozi, Roberto Marchionne, Francesco Paladino, Giovanna Favaretto, Federico Malafronte, Irma Pietroni, Davide Lopez, Juan Sergio Langone, Rosaria Guelpa, Fabrizio Foresti, Giovanni Galloppo, Giuseppe Giuliani, Felice Maggi, Mario Alessandro Rizzolli, Matteo Ploner, Matteo Porzio, Claudio Previati, Daniele Recine, Fabio Di Colli, Stefano Rossi, Simone Salustri, Andrea Sangalli, Ilaria Soana, Maria-Gaia Starita, Maria Grazia Viale, Riccardo Fabrizi, Pier Luigi Forestieri, Giancarlo Mottura, Paolo Demattè, Claudio Pini, Marco Fattobene, Lucrezia Arnaboldi, Francesca Ayadi, Rym Bernardi, Cristiana Bollazzi, Francesco Bruno, Brunella Bucci, Antonio Alessi, Matteo Marchese, Malvina Marino, Immacolata Nieri, Laura Papi, Luca Pesic, Valerio Scognamiglio, Alessandro Vasciaveo, Caterina All co-authors financial investors education risk finance behavioral behavioural anlageverhalten literacy foreign emerging markets policies behavior leverage evidence allocation return new approach individual italian bank portfolio policy portfolios revolution long attitude economics aversion italien equity positions introduction umberto filotto maria francesco better italy unleveraged behaviour role industry effects finanziari asset mean variance analysis investment choices used regulators paper riccardo viale decisions enrico cervellati making barbara alemanni shabnam mousavi consumer protection psychology feedback trading kapitalanlage finanzmarktregulierung verhaltensökonomik bankenregulierung pure regulations taxonomy banks institutional regulation case pension european bancarie internazionali performance procedure unleverage efficient terms component choice empirical useful short segments based age taking framework contents foreword salvatore rossi heuristics paolo economic evolution consob nadia linciano information need smes cristina zeno rotondi monetary impact finland
Composed terms behavioural finance financial education foreign investors emerging markets risk literacy investors emerging umberto filotto allocation return finance revolution new approach behavioural economics equity foreign mean variance riccardo viale enrico maria maria cervellati barbara alemanni shabnam mousavi consumer protection behavioral economics feedback trading portfolio management portfolio selection financial investment financial market regulation bank regulation unleveraged portfolios pure allocation financial behaviour revolution new approach financial financial policies policies regulations taxonomy behavioural behavioural policies risk aversion behavior effects effects equity return component long positions individual risk risk taking salvatore rossi introduction riccardo literacy financial financial decisions nadia linciano better financial finance financial italian smes cristina giorgiantonio zeno rotondi policy making psychology financial financial consumer portfolio investition interdisziplinäre forschung financial product emerging economies portfolios pure return artificial artificial intelligence intelligence financial behaviour investors investors afraid afraid finding finding big big bad bad wolf wolf financial education risk literacy behavioural regulations behavioural regulations taxonomy policies individual individual behaviour behaviour long long range attitude italian banks new institutional behavioural aversion loss coin role le crisi casi ed esercizi mercati ed il il caso
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Barbara Alemanni Alternative spellings: B. Alemanni Biblio: Tätig an der Università degli Studie di Genova; Borsista; tätig bei Area Credito, SDA; Univ. Bocconi, Milano
Publishing years Series Report on the Italian financial system (2) Série de trabalhos para discussão (2) Lezioni e letture (2) NEWFIN, Centro Studi sull'Innovazione Finanziaria dell'Università Bocconi (2) Behavioural Financial Regulation and Policy (BEFAIRLY) series (1) Behavioural financial regulation and policy (BEFAIRLY) series (1) Behavioural financial regulation and policy (befairly) series (1) Behavioural financcial regulation and policy (befairly) series (1) Collana biblioteca dell'economia d'azienda (1)